Treasury Operations Specialist

Robinhood Robinhood · Fintech · Chicago, IL +2 · Brokerage Operations - RHS

Robinhood is seeking a Treasury Operations Specialist to safeguard customer and firm cash by owning daily bank and clearing account reconciliations, sweep and settlement processes, and core cash controls. The role involves reconciling balances and activity, supporting regulatory obligations, and partnering cross-functionally to strengthen controls. Responsibilities include owning reconciliation frameworks, leading daily settlements, managing risk through strong controls, developing and refining processes for efficiency and scalability, acting as a subject matter expert, partnering on product launches, and crafting/implementing processes and controls.

What you'd actually do

  1. Own reconciliation frameworks across Robinhood Securities bank, clearing, and sweep accounts by comparing internal ledgers to external bank, clearing, and vendor data, investigating and resolving breaks, and escalating unreconciled items as needed
  2. Lead daily brokerage cash settlements (for example NSCC/DTC, ACH, Debit Card and other treasury movements) and ensure funding is accurate, timely, and appropriately documented
  3. Manage risk for back‑office activities by maintaining strong controls over customer and firm cash, suspense accounts, and exception handling, in line with internal policies and WSPs
  4. Develop and refine processes to increase the efficiency and scalability of brokerage treasury operations, reducing manual touch points while improving control quality
  5. Act as a subject matter expert on brokerage cash management and reconciliation processes, clearly communicating impacts and risks to partners in Compliance, Corporate Accounting, Engineering, Product, CX, and other operations teams

Skills

Required

  • Bachelor’s degree in finance, accounting, business, economics, or a related field
  • Active FINRA Series 7 and 99 Licenses
  • 3+ years of experience in brokerage operations or treasury operations with a focus on cash management, reconciliations, and back-office controls in a broker-dealer or clearing environment
  • Experience leading or driving projects to automate or improve reconciliation, settlement, or cash-control processes
  • Strong problem-solving skills
  • Experience with data analysis (Excel, SQL, AI)
  • Prior experience at a broker-dealer, clearing firm, or securities operations team supporting customer cash and securities with applicable securities licenses

Nice to have

  • Strong Robinhood product knowledge and curiosity about how our brokerage model and money movements work

What the JD emphasized

  • Active FINRA Series 7 and 99 Licenses
  • 3+ years of experience in brokerage operations or treasury operations with a focus on cash management, reconciliations, and back-office controls in a broker-dealer or clearing environment
  • Proven ability to operate in a fast-paced, highly regulated environment while maintaining accuracy, sound judgment, and strong attention to detail